Stock Rankings by Volume - Rankings 1701 to 1800
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 1701 to 1800.
1701
INMDInMode Ltd. Ordinary Shares $13.97
983.604K
$885.12M
$13.74M
1702
DFDVDeFi Development Corp. Common Stock $3.63
982.846K
$115.64M
$3.57M
1703
ZGZILLOW GROUP INC CLASS A $43.84
982.512K
$2.01B
$43.07M
1704
$1.83
981.077K
$443.43M
$1.80M
1705
DRVNDriven Brands Holdings Inc. Common Stock $16.61
980.879K
$2.73B
$16.29M
1706
YETIYETI Holdings, Inc. Common Stock $45.44
980.515K
$3.54B
$44.55M
1707
CHTRCharter Comm Inc Del CL A New $231.85
979.597K
$29.36B
$227.12M
1708
BNLBroadstone Net Lease, Inc. $19.22
979.477K
$3.68B
$18.83M
1709
RHPRyman Hospitality Properties, Inc $102.82
977.995K
$6.48B
$100.56M
1710
$8.01
975.867K
$1.21B
$7.82M
1711
$64.88
975.832K
$7.27B
$63.31M
1712
$1.74
975.659K
$53.53M
$1.70M
1713
CINFCincinnati Financial Corp $160.73
974.703K
$25.08B
$156.66M
1714
JKHYHenry (Jack) & Associates $156.18
974.657K
$11.27B
$152.22M
1715
EBSEmergent Biosolutions, Inc. $10.96
973.498K
$575.62M
$10.67M
1716
TRVITrevi Therapeutics, Inc. Common Stock $11.27
973.484K
$1.45B
$10.97M
1717
RRXRegal Rexnord Corporation $223.69
971.147K
$14.88B
$217.24M
1718
ELSEquity Lifestyle Properties, Inc. $68.32
971.026K
$13.25B
$66.34M
1719
ALMSAlumis Inc. Common Stock $28.16
970.763K
$2.74B
$27.34M
1720
UAVSAgEagle Aerial Systems, Inc. $1.00
969.779K
$43.55M
$969.78K
1721
NMRKNewmark Group, Inc. Class A Common Stock $14.72
968.613K
$2.34B
$14.26M
1722
$62.41
968.05K
$4.62B
$60.42M
1723
TALOTalos Energy, Inc. Common Stock $12.16
967.523K
$2.07B
$11.77M
1724
$12.65
967.488K
$8.04B
$12.24M
1725
EATBrinker International, Inc. $141.16
967.279K
$6.15B
$136.54M
1726
ARISAris Water Solutions, Inc. $21.42
966.937K
$4.40B
$20.71M
1727
ENREnergizer Holdings, Inc $22.67
965.635K
$1.55B
$21.89M
1728
ITWIllinois Tool Works Inc. $294.56
965.583K
$84.89B
$284.42M
1729
FAFirst Advantage Corporation Common Stock $9.07
965.338K
$1.58B
$8.76M
1730
HCCWarrior Met Coal, Inc. $90.56
965.276K
$4.76B
$87.42M
1731
BRRColumbus Circle Capital Corp I Class A Ordinary Shares $2.63
965.151K
$219.40M
$2.54M
1732
GNLGlobal Net Lease, Inc. $9.66
963.851K
$2.12B
$9.31M
1733
$2.39
962.78K
$458.13M
$2.30M
1734
CXAICXApp Inc. Class A Common Stock $0.1782
962.351K
$5.10M
$171.49K
1735
PNFPPinnacle Financial Partners In $94.17
960.875K
$14.15B
$90.49M
1736
CRONCronos Group Inc. Common Share $2.75
960.451K
$1.04B
$2.64M
1737
POWWAMMO, Inc. Common Stock $2.12
959.846K
$248.65M
$2.03M
1738
$9.46
959.345K
$1.08B
$9.08M
1739
$54.17
958.243K
$2.03B
$51.91M
1740
$58.28
957.633K
$4.01B
$55.81M
1741
VIVTelefonica Brasil, S.A. American Depositary Shares (Each representing One Common Share) $16.58
957.17K
$26.75B
$15.87M
1742
SMASmartStop Self Storage REIT, Inc. $33.70
956.058K
$1.87B
$32.22M
1743
$54.00
955.508K
$1.87B
$51.60M
1744
HNSTThe Honest Company, Inc. Common Stock $2.26
955.156K
$252.65M
$2.16M
1745
$37.44
954.24K
$8.04B
$35.73M
1746
JBTMJBT Marel Corporation $163.86
949.061K
$8.52B
$155.51M
1747
AMBPArdagh Metal Packaging S.A. $4.70
948.818K
$2.81B
$4.46M
1748
SPAISafe Pro Group Inc. Common Stock $4.09
944.213K
$85.80M
$3.86M
1749
OLPXOlaplex Holdings, Inc. Common Stock $1.65
943.13K
$1.10B
$1.56M
1750
WGRXWellgistics Health, Inc. Common Stock $0.2380
942.143K
$21.36M
$224.23K
1751
VECOVeeco Instruments Inc $29.36
941.178K
$1.77B
$27.63M
1752
DKSDick's Sporting Goods, Inc. $212.49
940.566K
$14.11B
$199.86M
1753
OVIDOvid Therapeutics Inc. Common Stock $1.52
940.385K
$197.88M
$1.43M
1754
AXSMAxsome Therapeutics, Inc $169.95
939.952K
$8.57B
$159.74M
1755
RAPTRAPT Therapeutics, Inc. Common Stock $57.93
937.659K
$1.61B
$54.32M
1756
KGSKodiak Gas Services, Inc. $51.12
936.9K
$4.43B
$47.89M
1757
MAPSWM Technology, Inc. Class A Common Stock $0.6588
936.041K
$71.08M
$616.66K
1758
LFMDLifeMD, Inc. Common Stock $2.67
932.889K
$128.52M
$2.49M
1759
SLFSun Life Financial Inc. $64.93
931.159K
$35.96B
$60.46M
1760
RJFRaymond James Financial, Inc. $155.48
929.656K
$30.64B
$144.54M
1761
COCOThe Vita Coco Company, Inc. Common Stock $55.24
925.905K
$3.15B
$51.15M
1762
LTMLATAM Airlines Group S.A. American Depositary Shares (each representing two thousand (2,000) shares of Common Stock) $58.02
924.89K
$17.53B
$53.66M
1763
GSBDGoldman Sachs BDC, Inc. $9.15
921.869K
$1.04B
$8.44M
1764
AEVAAeva Technologies, Inc. $13.06
921.841K
$784.64M
$12.04M
1765
RANIRani Therapeutics Holdings, Inc. Class A Common Stock $1.32
921.799K
$128.28M
$1.21M
1766
$5.85
920.016K
$860.59M
$5.38M
1767
XTIAXTI Aerospace, Inc. Common Stock $1.69
919.067K
$58.32M
$1.55M
1768
FULTFulton Financial Corp $21.17
918.008K
$3.82B
$19.43M
1769
VIPSVipshop Holdings Limited $17.42
917.284K
$7.23B
$15.98M
1770
TMOThermo Fisher Scientific, Inc. $515.60
917.062K
$193.72B
$472.84M
1771
EMBJEmbraer S.A. American Depositary Shares (Each representing Four Common Shares) $72.98
916.487K
$13.51B
$66.89M
1772
HASIHANNON ARMSTRONG SUSTAINABLE INFRASTRUCTURE CAPITAL INC $37.00
915.595K
$4.74B
$33.88M
1773
WERNWerner Enterprises Inc $32.78
915.04K
$1.96B
$30.00M
1774
$190.87
914.696K
$27.87B
$174.59M
1775
CDLXCardlytics, Inc. Common Stock $0.8684
914.689K
$46.94M
$794.32K
1776
PCTYPaylocity Holding Corporation Common Stock $103.14
914.39K
$5.56B
$94.31M
1777
CRSRCorsair Gaming, Inc. Common Stock $5.40
914.205K
$575.66M
$4.94M
1778
$40.40
911.358K
$5.13B
$36.82M
1779
$58.89
911.076K
$59.89B
$53.65M
1780
KULRKULR Technology Group, Inc. $2.94
910.579K
$134.28M
$2.68M
1781
$2.54
910.536K
$294.09M
$2.31M
1782
SUUNSolarBank Corporation Common Stock $0.7600
909.878K
$35.39M
$691.51K
1783
$235.17
908.626K
$13.80B
$213.68M
1784
NRXPNRX Pharmaceuticals, Inc. Common Stock $1.87
907.92K
$59.60M
$1.70M
1785
GFLGFL Environmental Inc. Subordinate Voting Shares $42.25
907.797K
$14.64B
$38.35M
1786
ARIAPOLLO COMMERCIAL REAL ESTATE FINANCE, INC. $10.65
907.663K
$1.49B
$9.67M
1787
MRPMillrose Properties, Inc. $30.93
906.354K
$4.77B
$28.03M
1788
OMFOneMain Holdings, Inc. $55.20
906.282K
$6.47B
$50.03M
1789
RDNTRadNet, Inc. Common Stock $67.79
905.135K
$5.23B
$61.36M
1790
AUBAtlantic Union Bankshares Corporation $38.46
902.878K
$5.48B
$34.72M
1791
ALLThe Allstate Corporation $209.82
901.684K
$54.46B
$189.19M
1792
$126.65
899.559K
$15.31B
$113.93M
1793
IFFInternational Flavors & Fragrances Inc. $82.11
899.369K
$21.03B
$73.85M
1794
BCSFBain Capital Specialty Finance, Inc. $13.13
898.686K
$851.72M
$11.80M
1795
CRDFCardiff Oncology, Inc. Common Stock $1.67
894.653K
$112.49M
$1.49M
1796
GGALGrupo Financiero Galicia SA $48.97
893.654K
$6.49B
$43.76M
1797
$5.19
893.092K
$541.10M
$4.64M
1798
PMTPennyMac Mortgage Investment Trust $12.13
892.778K
$1.06B
$10.83M
1799
CHRSCoherus BioSciences, Inc. $1.67
892.561K
$249.62M
$1.49M
1800
BBNXBeta Bionics, Inc. Common Stock $13.39
892.122K
$589.49M
$11.95M